GOLDMAN SACHS GROUP INC Q3 2016 Filing

Filed November 14, 2016

Portfolio Value

$330.2M

Holdings

4,525

Report Date

Q3 2016

Filing Type

13F-HR

All Holdings (4,525 positions)

StockValue
GAIN CAP HLDGS INC
$150K
EMKREUREMCORE CORP
$150K
KADMON HLDGS INC
$150K
VRSN 3.25 08/15/37VERISIGN INC
$149K
USALIBERTY ALL STAR EQUITY FD
$149K
AFFIMED N V
$149K
BROADSOFT INC
$149K
SILICONWARE PRECISION INDS L
$149K
WI-LAN INC
$148K
CHEROKEE INC DEL NEW
$147K
CRKCOMSTOCK RES INC
$147K
KONA GRILL INC
$147K
LAM RESEARCH CORP
$146K
NERVGBPMINERVA NEUROSCIENCES INC
$145K
FIFTH STR SR FLOATNG RATE CO
$145K
OVASCIENCE INC
$145K
JIVE SOFTWARE INC
$145K
EASTERN VA BANKSHARES INC
$144K
WCF BANCORP INC
$144K
FIRST NBC BK HLDG CO
$144K
TPVGTRIPLEPOINT VENTURE GROWTH B
$143K
BASIC ENERGY SVCS INC NEW
$143K
HOLOGIC INC
$143K
IXYS CORP
$142K
HORTONWORKS INC
$142K
SCKTSOCKET MOBILE INC
$142K
PLANET PAYMENT INC
$141K
HDSNHUDSON TECHNOLOGIES INC
$141K
CASTLE BRANDS INC
$141K
RDIREADING INTERNATIONAL INC
$141K
WEST MARINE INC
$141K
BTZBLACKROCK CR ALLCTN INC TR
$140K
CHART INDS INC
$140K
OXBROXBRIDGE RE HLDGS LTD
$139K
WKHSEURWORKHORSE GROUP INC
$138K
PVG1EURPRETIUM RES INC
$137K
RADIO ONE INC
$137K
KVHIKVH INDS INC
$136K
ARGOS THERAPEUTICS INC
$135K
NAKNORTHERN DYNASTY MINERALS LT
$135K
MITEL NETWORKS CORP
$135K
ADVMCHFADVERUM BIOTECHNOLOGIES INC
$135K
JPCNUVEEN PFD INCOME OPPRTNY FD
$134K
CYDCHINA YUCHAI INTL LTD
$134K
PENDRELL CORP
$133K
MPXMARINE PRODS CORP
$133K
STEMLINE THERAPEUTICS INC
$132K
GSTEURGASTAR EXPL INC NEW
$132K
NVCRNOVOCURE LTD
$132K
CENTRAL EUROPEAN MEDIA ENTRP
$132K
DIGIRAD CORP
$132K
MEDGENICS INC
$130K
CMCM1EURCHEETAH MOBILE INC
$129K
INDEPENDENCE CONTRACT DRIL I
$129K
BEBE STORES INC
$129K
PFENEX INC
$129K
SALMSALEM MEDIA GROUP INC
$128K
ACHAOGEN INC
$128K
DSXDIANA SHIPPING INC
$127K
MAJESCO
$127K
CASCADE BANCORP
$126K
BDJBLACKROCK ENHANCED EQT DIV T
$126K
TCSUSDCONTAINER STORE GROUP INC
$126K
HANWHA Q CELL CO LTD
$126K
SEARS HOMETOWN & OUTLET STOR
$125K
COMMUNITY BANKERS TR CORP
$125K
MITCHAM INDS INC
$125K
NDLSUSDNOODLES & CO
$125K
ROCKWELL MED INC
$124K
CONFORMIS INC
$124K
TNAVEURTELENAV INC
$124K
TGHTEXTAINER GROUP HOLDINGS LTD
$124K
INTERNAP CORP
$124K
SRNESORRENTO THERAPEUTICS INC
$124K
FEDERAL MOGUL HOLDINGS CORP
$124K
GOLDMAN SACHS MLP ENERGY REN
$123K
ACELRX PHARMACEUTICALS INC
$123K
UNILIFE CORP NEW
$123K
NTN BUZZTIME INC
$123K
APAMPCO-PITTSBURGH CORP
$120K
DESTINATION MATERNITY CORP
$120K
LINCLINCOLN EDL SVCS CORP
$120K
CPSSCONSUMER PORTFOLIO SVCS INC
$120K
TOWN SPORTS INTL HLDGS INC
$120K
VIVINT SOLAR INC
$118K
KINDRED BIOSCIENCES INC
$118K
RTI SURGICAL INC
$118K
GREEN BANCORP INC
$117K
ETJEATON VANCE RISK MNGD DIV EQ
$117K
BON-TON STORES INC
$117K
IMMUNE DESIGN CORP
$117K
KCAP FINL INC
$116K
GENERAL FIN CORP DEL
$116K
EFRENERGY FUELS INC
$116K
NUMEREX CORP PA
$115K
STKSTHE ONE GROUP HOSPITALITY IN
$115K
HBMHUDBAY MINERALS INC
$115K
CENCOSUD S A
$115K
MOBILEIRON INC
$115K
AQMSEURAQUA METALS INC
$115K
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